527 research outputs found
Comparative Raman Studies of Sr2RuO4, Sr3Ru2O7 and Sr4Ru3O10
The polarized Raman spectra of layered ruthenates of the Srn+1RunO3n+1
(n=1,2,3) Ruddlesden-Popper series were measured between 10 and 300 K. The
phonon spectra of Sr3Ru2O7 and Sr4Ru3O10 confirmed earlier reports for
correlated rotations of neighboring RuO6 octahedra within double or triple
perovskite blocks. The observed Raman lines of Ag or B1g symmetry were assigned
to particular atomic vibrations by considering the Raman modes in simplified
structures with only one double or triple RuO6 layer per unit cell and by
comparison to the predictions of lattice dynamical calculations for the real
Pban and Pbam structures. Along with discrete phonon lines, a continuum
scattering, presumably of electronic origin, is present in the zz, xx and xy,
but not in the x'y' and zx spectra. Its interference with phonons results in
Fano shape for some of the lines in the xx and xy spectra. The temperature
dependencies of phonon parameters of Sr3Ru2O7 exhibit no anomaly between 10 and
300 K where no magnetic transition occurs. In contrast, two B1g lines in the
spectra of Sr4Ru3O10, corresponding to oxygen vibrations modulating the Ru-O-Ru
bond angle, show noticeable hardening with ferromagnetic ordering at 105 K,
thus indicating strong spin-phonon interaction.Comment: 9 pages, 12 figure
Analytical reasoning task reveals limits of social learning in networks
Social learning -by observing and copying others- is a highly successful
cultural mechanism for adaptation, outperforming individual information
acquisition and experience. Here, we investigate social learning in the context
of the uniquely human capacity for reflective, analytical reasoning. A hallmark
of the human mind is our ability to engage analytical reasoning, and suppress
false associative intuitions. Through a set of lab-based network experiments,
we find that social learning fails to propagate this cognitive strategy. When
people make false intuitive conclusions, and are exposed to the analytic output
of their peers, they recognize and adopt this correct output. But they fail to
engage analytical reasoning in similar subsequent tasks. Thus, humans exhibit
an 'unreflective copying bias,' which limits their social learning to the
output, rather than the process, of their peers' reasoning -even when doing so
requires minimal effort and no technical skill. In contrast to much recent work
on observation-based social learning, which emphasizes the propagation of
successful behavior through copying, our findings identify a limit on the power
of social networks in situations that require analytical reasoning
Mesoscopic structure and social aspects of human mobility
The individual movements of large numbers of people are important in many
contexts, from urban planning to disease spreading. Datasets that capture human
mobility are now available and many interesting features have been discovered,
including the ultra-slow spatial growth of individual mobility. However, the
detailed substructures and spatiotemporal flows of mobility - the sets and
sequences of visited locations - have not been well studied. We show that
individual mobility is dominated by small groups of frequently visited,
dynamically close locations, forming primary "habitats" capturing typical daily
activity, along with subsidiary habitats representing additional travel. These
habitats do not correspond to typical contexts such as home or work. The
temporal evolution of mobility within habitats, which constitutes most motion,
is universal across habitats and exhibits scaling patterns both distinct from
all previous observations and unpredicted by current models. The delay to enter
subsidiary habitats is a primary factor in the spatiotemporal growth of human
travel. Interestingly, habitats correlate with non-mobility dynamics such as
communication activity, implying that habitats may influence processes such as
information spreading and revealing new connections between human mobility and
social networks.Comment: 7 pages, 5 figures (main text); 11 pages, 9 figures, 1 table
(supporting information
Incidence, management, and outcomes of cardiovascular insufficiency in critically ill term and late preterm newborn infants
OBJECTIVE:
The objective of this study was to characterize the incidence, management, and short-term outcomes of cardiovascular insufficiency (CVI) in mechanically ventilated newborns, evaluating four separate prespecified definitions.
STUDY DESIGN:
Multicenter, prospective cohort study of infants ≥34 weeks gestational age (GA) and on mechanical ventilation during the first 72 hours. CVI was prospectively defined as either (1) mean arterial pressure (MAP) < GA; (2) MAP < GA + signs of inadequate perfusion; (3) any therapy for CVI; or (4) inotropic therapy. Short-term outcomes included death, days on ventilation, oxygen, and to full feedings and discharge.
RESULTS:
Of 647 who met inclusion criteria, 419 (65%) met ≥1 definition of CVI. Of these, 98% received fluid boluses, 36% inotropes, and 17% corticosteroids. Of treated infants, 46% did not have CVI as defined by a MAP < GA ± signs of inadequate perfusion. Inotropic therapy was associated with increased mortality (11.1 vs. 1.3%; p < 0.05).
CONCLUSION:
More than half of the infants met at least one definition of CVI. However, almost half of the treated infants met none of the definitions. Inotropic therapy was associated with increased mortality. These findings can help guide the design of future studies of CVI in newborn
Optimizing offshore wind export cable routing using GIS-based environmental heat maps
In the United States, there are plans to produce up to 30 GW of offshore wind power by the year 2030, resulting in numerous seabed lease areas which are currently going through the leasing or construction and operations phase. A key challenge associated with offshore wind is optimal routing and installation of the subsea power cables, which transmit power from the main offshore wind energy production area to a land-based station, where it connects to the electrical grid. By traversing a vast extent of the seafloor, the installation and operational phases of subsea power cables have the potential to result in a range of environmental impacts, which may negatively affect sensitive biological, physical, human and/or cultural resource receptors. Presented here is a case study from southeastern North Carolina to identify optimal seabed cable routes and coastal landfalls for a recently leased offshore wind farm by using a combination of publicly available data, coupled with standard environmental impact assessment methodologies and geographic information system (GIS)-based heat maps. The study identified a range of high-risk areas, in addition to a number of potential low-risk routes and landfall areas which minimize seabed user conflicts and impacts on environmentally sensitive locations. Although additional high-resolution and site-specific environmental, geological and biological surveys are required to develop a robust cable installation plan, the preliminary steps from this research optimize early-phase marine spatial planning for offshore wind projects and other similar subsea industries.</p
Understanding the interplay between social and spatial behaviour
According to personality psychology, personality traits determine many aspects of human behaviour. However, validating this insight in large groups has been challenging so far, due to the scarcity of multi-channel data. Here, we focus on the relationship between mobility and social behaviour by analysing trajectories and mobile phone interactions of ∼1000 individuals from two high-resolution longitudinal datasets. We identify a connection between the way in which individuals explore new resources and exploit known assets in the social and spatial spheres. We show that different individuals balance the exploration-exploitation trade-off in different ways and we explain part of the variability in the data by the big five personality traits. We point out that, in both realms, extraversion correlates with the attitude towards exploration and routine diversity, while neuroticism and openness account for the tendency to evolve routine over long time-scales. We find no evidence for the existence of classes of individuals across the spatio-social domains. Our results bridge the fields of human geography, sociology and personality psychology and can help improve current models of mobility and tie formation
Metabotropic glutamate receptor 5 as a potential target for smoking cessation
Rationale Most habitual smokers find it difficult to quit smoking because they are dependent upon the nicotine present in tobacco smoke. Tobacco dependence is commonly treated pharmacologically using nicotine replacement therapy or drugs, such as varenicline, that target the nicotinic receptor. Relapse rates, however, remain high and there remains a need to develop novel non-nicotinic pharmacotherapies for the dependence that are more effective than existing treatments. Objective The purpose of this paper is to review the evidence from preclinical and clinical studies that drugs that antagonise the metabotropic glutamate receptor 5 (mGluR5) in the brain are likely to be efficacious as treatments for tobacco dependence. Results Imaging studies reveal that chronic exposure to tobacco smoke reduces the density of mGluR5s in human brain. Preclinical results demonstrate that negative allosteric modulators (NAMs) at mGluR5 attenuate both nicotine self-administration and the reinstatement of responding evoked by exposure to conditioned cues paired with nicotine delivery. They also attenuate the effects of nicotine on brain dopamine pathways implicated in addiction. Conclusions Although mGluR5 NAMs attenuate most of the key facets of nicotine dependence they potentiate the symptoms of nicotine withdrawal. This may limit their value as smoking cessation aids. The NAMs that have been employed most widely in preclinical studies of nicotine dependence have too many \u201coff target\u201d effects to be used clinically. However newer mGluR5 NAMs have been developed for clinical use in other indications. Future studies will determine if these agents can also be used effectively and safely to treat tobacco dependence
Active Re-identification Attacks on Periodically Released Dynamic Social Graphs
Active re-identification attacks pose a serious threat to privacy-preserving
social graph publication. Active attackers create fake accounts to build
structural patterns in social graphs which can be used to re-identify
legitimate users on published anonymised graphs, even without additional
background knowledge. So far, this type of attacks has only been studied in the
scenario where the inherently dynamic social graph is published once. In this
paper, we present the first active re-identification attack in the more
realistic scenario where a dynamic social graph is periodically published. The
new attack leverages tempo-structural patterns for strengthening the adversary.
Through a comprehensive set of experiments on real-life and synthetic dynamic
social graphs, we show that our new attack substantially outperforms the most
effective static active attack in the literature by increasing the success
probability of re-identification by more than two times and efficiency by
almost 10 times. Moreover, unlike the static attack, our new attack is able to
remain at the same level of effectiveness and efficiency as the publication
process advances. We conduct a study on the factors that may thwart our new
attack, which can help design graph anonymising methods with a better balance
between privacy and utility
The effects of continued azacitidine treatment cycles on response in higher risk patients with myelodysplastic syndromes: an update
The international, phase III, multi-centre AZA-001 trial demonstrated azacitidine (AZA) is the first treatment to significantly extend overall survival (OS) in higher risk myelodysplastic syndromes (MDS) patients (Fenaux (2007) Blood 110 817). The current treatment paradigm, which is based on a relationship between complete remission (CR) and survival, is increasingly being questioned (Cheson (2006) Blood 108 419). Results of AZA-001 show CR is sufficient but not necessary to prolong OS (List (2008) Clin Oncol 26 7006). Indeed, the AZA CR rate in AZA-001 was modest (17%), while partial remission (PR, 12%) and haematological improvement (HI, 49%) were also predictive of prolonged survival. This analysis was conducted to assess the median number of AZA treatment cycles associated with achievement of first response, as measured by IWG 2000-defined CR, PR or HI (major + minor). The number of treatment cycles from first response to best response was also measured
General lack of global dosage compensation in ZZ/ZW systems? Broadening the perspective with RNA-seq
Background
Species with heteromorphic sex chromosomes face the challenge of large-scale imbalance in gene dose. Microarray-based studies in several independent male heterogametic XX/XY systems suggest that dosage compensation mechanisms are in place to mitigate the detrimental effects of gene dose differences. However, recent genomic research on female heterogametic ZZ/ZW systems has generated surprising results. In two bird species and one lepidopteran no evidence for a global dosage compensating mechanism has been found. The recent advent of massively parallel RNA sequencing now opens up the possibility to gauge the generality of this observation with a broader phylogenetic sampling. It further allows assessing the validity of microarray-based inference on dosage compensation with a novel technology.
Results
We here expemplify this approach using massively parallel sequencing on barcoded individuals of a bird species, the European crow (Corvus corone), where previously no genetic resources were available. Testing for Z-linkage with quantitative PCR (qPCR,) we first establish that orthology with distantly related species (chicken, zebra finch) can be used as a good predictor for chromosomal affiliation of a gene. We then use a digital measure of gene expression (RNA-seq) on brain transcriptome and confirm a global lack of dosage compensation on the Z chromosome. RNA-seq estimates of male-to-female (m:f) expression difference on the Z compare well to previous microarray-based estimates in birds and lepidopterans. The data further lends support that an up-regulation of female Z-linked genes conveys partial compensation and suggest a relationship between sex-bias and absolute expression level of a gene. Correlation of sex-biased gene expression on the Z chromosome across all three bird species further suggests that the degree of compensation has been partly conserved across 100 million years of avian evolution.
Conclusions
This work demonstrates that the study of dosage compensation has become amenable to species where previously no genetic resources were available. Massively parallele transcriptome sequencing allows re-assessing the degree of dosage compensation with a novel tool in well-studies species and, in addition, gain valuable insights into the generality of mechanisms across independent taxonomic group for both the XX/XY and ZZ/ZW system
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